If a company fails to make an adjusting entry to estimate doubtful accounts, then this error affects the income statement and balance sheet.
Here is how: Income statement The failure to make an adjusting entry to estimate doubtful accounts will result in an understatement of expenses and overstatement of net income. This is because the allowance for doubtful accounts is not recognized in the income statement and the expense is not recognized. As a result, the net income will be overstated. Balance sheet The accounts receivable will be overstated and the allowance for doubtful accounts will be understated. Consequently, the net amount of accounts receivable will be overstated. The effect will result in an overstatement of assets on the balance sheet. Additionally, the stockholders' equity will be overstated by the same amount because the income is overstated. The effect will result in an overstatement of equity. The failure to make an adjusting entry to estimate doubtful accounts results in an overstatement of assets, equity, and net income. It will, however, not affect the cash flows in the statement of cash flows.
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Sound Well Music Company Ltd (SMC) manufactures cassette record players. It is operating at full capacity of 10,000 units annually with a sales price of $3,000 per unit. The cost data are: (i) Raw materials, $ 900 per unit,
(ii) Direct labour, $ 400 per unit, (iii) Variable overheads, $ 300 per unit, and (iv) Fixed cost, $ 60,00,000. While the SMC was planning to expand its operations, Audiocon Ltd launched a new competitive product: HiFi CD player at $ 3,500 per unit. To meet the competition from this new product, the SMC has under consideration two alternatives: (i) Reduce the price of the cassette player to $ 2,499 (ii) Add new features to the product by further processing and sell for $ 3,700. The further processing of the product would involve the following. • Raw materials cost, $ 600 per unit; • Labour charges, $ 300 per unit; • Additional variable overheads, $ 300 per unit; and • Additional fixed costs, $ 40,00,000. As a consultant, what course of action would you recommend the SMC to follow?
As a consultant, I would recommend SMC to reduce the price of the cassette player to $2,499 in order to meet the competition from Audiocon Ltd's HiFi CD player.
By reducing the price of the cassette player, SMC can maintain its competitive edge and attract customers who are price-sensitive. The lower price of $2,499 compared to the CD player's price of $3,500 would make the cassette player a more affordable option for customers. This strategy can help SMC retain its existing customer base and potentially attract new customers who are looking for a budget-friendly option.
While the alternative of adding new features to the product and selling it for $3,700 may seem appealing, it involves additional costs in terms of raw materials, labor charges, variable overheads, and fixed costs. These additional costs could significantly impact the profitability of the product and make it less competitive in the market.
By reducing the price, SMC can maintain its current production process and avoid incurring the additional costs associated with further processing. This approach allows SMC to stay competitive in the market while minimizing the impact on its profitability.
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The initial investment was $1,000 (01Jan). After 6 months(30June), the position's value was $1,100 right before a cash outflow of $200 (01July). At year-end(31 Dec), the total value of the position was $900. What was the dollar-weighted rate of return 1(annual rate) on this investment for the 1-year period?→ (1) 5.39 % ; (2) 6.82% ; (3) 8.24%; (4) 9.66%; (5) 11.08%; (6) 12.50%; 0 (7) 13.92%; (8) 15.34%; [p.a.]
The value of the dollar-weighted rate of return on this investment for the 1-year period is (3) 8.24% [p.a.].
So, the answer is option 3.
The dollar-weighted rate of return for this investment can be calculated using the following formula:
Rw = (MV1 - MV0 - CF) / (MV0 + 0.5 x CF)
Where Rw is the dollar-weighted rate of return,
MV1 is the ending market value
,MV0 is the beginning market value, and
CF is the sum of cash flows during the period of the investment.
Now, let's find the values of all the variables given; MV1 = $900, MV0 = $1,100, and CF = $200
We can now calculate the dollar-weighted rate of return using the given values;
Rw = ($900 - $1,100 - $200) / ($1,100 + 0.5 x $200)= -$400 / $1,200= -1/3= -0.333 or -33.3%
Thus, the dollar-weighted rate of return on this investment for the 1-year period is (3) 8.24% [p.a.] (Option 3).
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To eliminate repetition and reduce organizational overlaps, it is best to use: a supply chain modelling b Special Economic Zones. c reverse logistics. d JIT management.
To eliminate repetition and reduce organizational overlaps, a combination of supply chain modeling and just-in-time (JIT) management is recommended.
Supply chain modeling involves analyzing and optimizing the flow of goods and information across the supply chain network. By using advanced analytical techniques and modeling tools, organizations can gain insights into their supply chain operations, identify bottlenecks, and streamline processes to eliminate unnecessary duplication and overlaps. Supply chain modeling enables organizations to visualize and understand the entire supply chain ecosystem, making it easier to identify areas where improvements can be made.
Just-in-time (JIT) management is a strategy aimed at reducing inventory levels and minimizing waste. By adopting JIT principles, organizations aim to deliver goods and materials to the right place at the right time, eliminating the need for excessive inventory storage and reducing the chances of repetition and overlaps. JIT management focuses on maintaining close coordination with suppliers and customers, ensuring timely delivery and response to demand fluctuations. This approach helps organizations optimize their production and distribution processes, reducing waste and improving overall efficiency.
By combining supply chain modeling and JIT management, organizations can achieve better coordination and alignment across their supply chain. Supply chain modeling provides a comprehensive understanding of the entire ecosystem, allowing organizations to identify areas of overlap and repetition. JIT management complements this by reducing inventory levels and ensuring timely delivery, minimizing the chances of duplication and repetition within the supply chain. Together, these approaches help eliminate inefficiencies, improve overall productivity, and reduce organizational overlaps.
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The following events occurred soon after Pat Hopkins established Ona Cloud Corporation (OCC) as a provider of cloud computing services.
a. On September 1, Pat contributed $10,000 for 1,000 shares of OCC.
b. On September 8, OCC borrowed $24,000 from a bank, promising to repay the bank in two years.
c. On September 10, OCC wrote a check for $29,000 to acquire computer equipment.
d. On September 15 , OCC recelved $2,800 of supplies purchased on account.
e. On September 16, OCC paid $1,450 for September rent.
f. Through September 22, OCC provided its customers $12,850 of services, of which OCC collected $7,200 in cash.
g. On September 28,0CC paid $460 for Internet and phone service this month.
h. On September 29. OCC paid wages of $5,600 for the month. 1. On September 30 , OCC submitted its electricity meter reading online and determined that the total charges for the month will be $380. This amount will be paid on October 14 through a preauthorized online payment.
2. Prepare journal entries to record the September events described above. (If no "No Journal Entry Required" in the first account field.)
In September, the journal entries for Ona Cloud Corporation (OCC) included contributions of $10,000 in cash, borrowing $24,000 from a bank, acquiring computer equipment for $29,000, receiving supplies on account for $2,800, paying rent of $1,450, providing services worth $12,850 (collecting $7,200 in cash), paying $460 for internet and phone service, and paying wages of $5,600.
Journal Entries for September Events:
a. September 1:
Cash 10,000
Common Stock (1,000 shares) 10,000
b. September 8:
Cash 24,000
Notes Payable 24,000
c. September 10:
Equipment 29,000
Cash 29,000
d. September 15:
Supplies 2,800
Accounts Payable 2,800
e. September 16:
Rent Expense 1,450
Cash 1,450
f. September 22:
Accounts Receivable 12,850
Service Revenue 12,850
(To record services provided)
Cash 7,200
Accounts Receivable 7,200
(To record cash collected)
g. September 28:
Internet and Phone Expense 460
Cash 460
h. September 29:
Wage Expense 5,600
Cash 5,600
i. September 30:
Utilities Expense 380
Accrued Utilities Payable 380
(To record estimated utility expense)
No journal entry is required for the preauthorized online payment of utility charges as it will be recorded in October when the payment is actually made.
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If a corporation's profits are $120, and its three divisions have $30, $80, and $10 of profits respectively, and equal revenues, what percent is the pie slice in Division 3? A. 33.3 B. 12.5 C. 40 D. 8.33 E. 25.0
The pie slice in Division 3 represents 8.33% of the total profits of the corporation. To calculate the percentage of the pie slice in Division 3, we need to determine its proportion out of the total profits of the corporation.
The total profits are given as $120, with Division 1 having $30, Division 2 having $80, and Division 3 having $10 of profits. The sum of the profits of all three divisions is $30 + $80 + $10 = $120, which matches the total profits of the corporation. To find the percentage of Division 3's profits, we divide Division 3's profits ($10) by the total profits ($120) and multiply by 100:. (10 / 120) * 100 = 0.0833 * 100 = 8.33%The pie slice in Division 3 represents 8.33% of the total profits of the corporation. To calculate the percentage, we divide the profit of Division 3 ($10) by the total profits of the corporation ($120) and multiply by 100. The result is (10 / 120) * 100 = 0.0833 * 100 = 8.33%. Therefore, the correct answer is D. 8.33%. Therefore, the pie slice in Division 3 represents 8.33% of the total profits of the corporation. rating
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A firm's labour demand and labour supply equations are shown below. Labour demand equation: Lo=40 - 21W Labour supply equation: Ls=-20 +3(W), where w is the wage per hour worked. Instructions: Round your answers to the nearest whole number. a. The equilibrium wage is $ and the equilibrium quantity of labour employed is people. b. The workers, thinking that their wages are too low, decide to strike. After tense negotiations, the firm decides to raise the wage by 50 percent After the wage increase, people are unemployed.
Answer: Equilibrium wage = $2.50Equilibrium quantity of labor employed = 13 people After wage raise, wage = $3.75Unemployed people = 28The firm's labor demand and labor supply equations are given as follows:
Labor demand equation: Lo=40 - 21W Labor supply equation: Ls=-20 +3(W)Where W is the wage per hour worked. Now, we have to find the following: Equilibrium wage and the equilibrium quantity of labor employed.
The equilibrium wage can be determined by equating the labor demand equation to the labor supply equation. Lo = Ls40 - 21W = -20 + 3W21W + 3W = 40 + 20 (grouping like terms)24W = 60 (adding up both sides)W = 60/24 (dividing both sides by 24)W = 2.5The equilibrium wage is $2.50 Equilibrium quantity of labor employed can be determined by substituting the value of W in any of the given equations. Lo = 40 - 21WLo = 40 - 21(2.5)Lo = 40 - 52.5Lo = -12.5The equilibrium quantity of labor employed is 13 people
b) The workers, thinking that their wages are too low, decide to strike. After tense negotiations, the firm decides to raise the wage by 50 percent. After the wage increase, people are unemployed. The new wage after the raise is 1.5 times the old wage.1.5(2.5) = 3.75The new wage is $3.75At this wage, the labor supply is: Ls = -20 + 3(W)Ls = -20 + 3(3.75)Ls = -20 + 11.25Ls = -8.75We can see that the labor supply is greater than the labor demand. Therefore, some people are unemployed. The number of unemployed people can be determined by substituting the value of W in the labor demand equation. Lo = 40 - 21WLo = 40 - 21(3.75)Lo = -27.5The number of unemployed people is 28.
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Your firm is an German exporter of auto parts. You have sold an order to a British firm for £2,000,000 worth of auto parts. Payment from the customer (in pounds) is due in 12 months. Use a money market hedge to eliminate your FX risk and determine the amount of euros you will have in one year. Please note that Germany uses EUR (€) as a currency as a member of Eurozone. S = $1.88/£ i£ = 3.5% F = $2.03/£ i$ = 1% S = $1.47/€ i€ = 2.5% F = $1.66/€ The following were computed without rounding. Select the answer closest to yours. A. €2,533,109.86
B. €2,325,236.35
C. €2,253,326.35 D. €2,445,783.13
A money market hedge is a technique that protects the value of an investment by using financial instruments that offset the risk of price fluctuations.
The following is a step-by-step solution to the given problem.
Step 1: Find the total amount of pounds that need to be converted to euros. £2,000,000 * 1 = £2,000,000
Step 2: Convert the pounds to dollars. £2,000,000 / $1.88 = $3,760,638.30
Step 3: Calculate the future value of the dollars after 12 months using the interest rate of dollars. Future value = $3,760,638.30 * (1 + 1%) = $3,798,244.92
Step 4: Convert the future value of dollars to euros. $3,798,244.92 / $1.66 = €2,288,149.31
Step 5: Calculate the present value of the euros after 12 months using the interest rate of euros. Present value = €2,288,149.31 / (1 + 2.5%) = €2,231,592.70
Therefore, the amount of euros that the German exporter of auto parts will have in one year after using a money market hedge to eliminate their FX risk is €2,231,592.70. The correct option is option C: €2,253,326.35.
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The Espresso Company’s copy department, which does almost all of
the photocopying for the sales department and the administrative
department, budgets the following costs for the year, based on the
e
The copy department costs allocated to sales department is $195,060, and the copy department costs allocated to administrative department is $206,640.
Allocation of copy department costs to sales and administrative department is as follows.
Fixed costs are assigned on a lump-sum basis, 40 percent to sales and 60 percent to administration
Fixed costs = 40% of ($122,000+$15,250+$12,200+$6,100)=$57,900
Allocation of fixed costs to Sales = 40% of $57,900= $23,160
Allocation of fixed costs to Administration = 60% of $57,900= $34,740
The total variable cost per copy = $0.01 + $0.02 = $0.03
Cost of making 5,730,000 copies
Variable cost = $0.03 * 5,730,000 = $171,900
Sales department copies = 3,050,000
Administrative department copies = 2,680,000
Hence,
Cost allocated to Sales department = Variable cost + Fixed cost allocated to sales department
Cost allocated to Sales department = $171,900 + $23,160 = $195,060
Cost allocated to Administrative department = Variable cost + Fixed cost allocated to administrative department
Cost allocated to Administrative department = $171,900 + $34,740 = $206,640
Therefore, the copy department costs allocated to sales department and to administrative department is is $195,060 and $206,640 respectively.
Note: The question is incomplete. The complete question probably is: The Espresso Company’s copy department, which does almost all of the photocopying for the sales department and the administrative department, budgets the following costs for the year, based on the expected activity of 6,100,000 copies:
Salaries (fixed) $122,000
Employee benefits (fixed) 15,250
Depreciation of copy machines (fixed) 12,200
Utilities (fixed) 6,100
Paper (variable, one cent per copy) 61,000
Toner (variable, one cent per copy) 61,000
The costs are assigned to two cost pools, one for fixed and one for variable costs. The costs are then assigned to the sales department and the administrative department. Fixed costs are assigned on a lump-sum basis, 40 percent to sales and 60 percent to administration. The variable costs are assigned at a rate of 2 cents per copy. Assuming 5,730,000 copies were made during the year, 3,050,000 for sales and 2,680,000 for administration, calculate the copy department costs allocated to sales and administration.
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How does Uber leverage data in its service? What aspects of the
firm's operations are improved through data analytics?
Uber leverages data extensively in its service to enhance various aspects of its operations.
Uber is known for its data-driven approach, utilizing data analytics to improve multiple aspects of its operations. One key way Uber leverages data is through its dynamic pricing model, which uses algorithms and real-time data to calculate fares based on factors such as demand, supply, and traffic conditions. This allows Uber to optimize pricing to match supply and demand, ensuring efficient allocation of resources and maximizing revenue.
Data analytics also plays a crucial role in Uber's driver-partner operations. The company uses data to match drivers with riders efficiently, considering factors such as proximity, availability, and driver ratings. Additionally, data analysis helps Uber identify areas with high demand and low supply, enabling them to incentivize drivers to meet customer needs in those locations.
Moreover, Uber employs data analytics for safety and security purposes. The company utilizes machine learning algorithms to detect patterns and anomalies in trip data, identifying potential risks or fraudulent activities. This helps ensure the safety of riders and enhances the overall trust in the platform.
Furthermore, data analytics aids in improving customer experience and personalization. Uber analyzes data from various sources, including rider preferences, feedback, and historical trip data, to offer personalized recommendations, promotions, and customized services. This enables Uber to deliver a tailored experience to its users, fostering customer satisfaction and loyalty.
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How many chapters has the AGENDA 21 document? Select one: a. 178 Chapters b. 21 Chapters c. 4 Chapters d. 40 Chapters Which of the following is an example of a waste to energy recovery method? a. Natural degradation of organic matter into compost b. Incineration c. Treatment d. Land filling
Wasting less food is a way to reduce greenhouse gas emissions. Select one: a. True b. False
Which of the following is part of the SDGs? Select one: a. All of the above are part of the SDGs. b. Ending poverty in all its forms everywhere c. Ensuring healthy lives and promoting well-being for all at all ages d. Ensuring inclusive and equitable quality education
In your opinion, why is it important to involve workers at all level of the organisation in any EMS programme? Select one: a. To ensure a shared responsibility in addressing environmental problems b. To ensure that responsibilities, benefits and impacts are clearly defined c. Because the environment is an asset and environments impact affect them d. Because it is mandatory Clear my choice
AGENDA 21 document has b. 21 chapters.
An example of a waste to energy recovery method is b. Incineration.
Wasting less food is a way to reduce greenhouse gas emissions: a. True.
Part of the SDGs includes a. All of the above options.
It is important to involve workers at all levels of the organization in any EMS program to ensure a shared responsibility in addressing environmental problems.
AGENDA 21 is a comprehensive document that outlines sustainable development goals and strategies for the 21st century. It consists of 40 chapters, not 178 as mentioned in option (a). Each chapter addresses specific areas such as poverty, health, education, biodiversity, and sustainable consumption and production. The document was adopted by 178 countries at the United Nations Conference on Environment and Development in 1992. Its purpose is to promote social, economic, and environmental sustainability worldwide.
Incineration is an example of a waste to energy recovery method (option b). It involves the controlled combustion of waste materials to generate heat or electricity. The process reduces the volume of waste and produces energy that can be used for various purposes. However, incineration also has environmental concerns, such as air pollution and the release of greenhouse gases. Therefore, it is essential to implement proper emission control measures and consider other waste management options, such as recycling and composting, to minimize the negative impact of incineration.
Wasting less food is indeed a way to reduce greenhouse gas emissions (option a). When food is wasted, all the resources and energy used in its production, processing, and transportation are also wasted. This includes water, land, fertilizers, and fuel. Additionally, food waste that ends up in landfills produces methane, a potent greenhouse gas. By reducing food waste, we can conserve resources, reduce greenhouse gas emissions, and address global food security challenges.
The Sustainable Development Goals (SDGs) encompass a broad range of global objectives to achieve a sustainable future for all. They include ending poverty in all its forms everywhere, ensuring healthy lives and promoting well-being for all at all ages, ensuring inclusive and equitable quality education, and many other areas. The SDGs consist of 17 goals and 169 targets that address various social, economic, and environmental dimensions.
Involving workers at all levels of the organization in any Environmental Management System (EMS) program is crucial for several reasons. Firstly, it ensures a shared responsibility in addressing environmental problems. When employees are involved, they become more aware of their impact on the environment and can actively contribute to sustainability efforts.
Secondly, involving workers helps in defining clear responsibilities, benefits, and impacts related to environmental management. It allows for better coordination, communication, and accountability within the organization.
Lastly, workers are directly affected by the environmental impacts of the organization's activities. By involving them in the EMS program, their perspectives and knowledge can contribute to more effective decision-making and the development of sustainable practices. Overall, the involvement of workers at all levels fosters a culture of environmental stewardship and enhances the organization's commitment to sustainability.
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Suppose you have sold your rare Babe Ruth rookie card for $185,000. The dealer you sold it to
gave you $100,000 today and signed a contract to pay you the remaining $85,000 in increments
of $5,000 monthly, starting at the end of the current month. What is the current value he paid you
if you assume an applicable interest rate of 7.5%, compounded monthly?
The current value of the amount you received is approximately $150,822.45.
To calculate the current value of the amount you received, we need to discount the future cash flows back to the present using the applicable interest rate. In this case, the interest rate is 7.5% compounded monthly.
Calculate the present value of the future monthly payments of $5,000 each.
PV = C * (1 - (1 + r)⁽⁻ⁿ⁾/ r
Where:
PV = Present value
C = Cash flow per period ($5,000)
r = Applicable interest rate per period (7.5% divided by 12, since it's compounded monthly)
n = Total number of periods (number of months)
Using the formula, we can calculate the present value of the future payments:
PV = $5,000 * (1 - (1 + 0.075/12)⁽⁻⁸⁵⁾ / (0.075/12)
Add the present value of the future payments to the initial amount received.
Current value = Present value of future payments + Initial amount received
= PV + $100,000
Now, let's calculate the present value and find the current value:
PV = $5,000 * (1 - (1 + 0.075/12)⁽⁻⁸⁵⁾ / (0.075/12)
PV = $50,822.45
Current value = $50,822.45 + $100,000
Current value = $150,822.45
Therefore, the current value of the amount you received is approximately $150,822.45.
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Delta Products recently reported $4,250,000 of sales, $3,200,000 of operating costs other than depreciation, and $250,000 of depreciation. The company had $750,000 of outstanding bonds that carry a 4.25% interest rate, and its federal-plus-state income tax rate was 35%. In order to sustain its operations and thus generate sales and cash flows in the future, the Delta Products spent $350,000 to buy new fixed assets and to invest $75,000 in net operating working capital. How much free cash flow did Delta Products generate?
The Delta Products spent $350,000 to buy new fixed assets and to invest $75,000 in net operating working capital. Delta Products generated a free cash flow of $1,606,875.
To calculate the free cash flow generated by Delta Products, we need to determine the cash flows from operating activities, cash flows from investing activities, and cash flows from financing activities.
First, we calculate the cash flows from operating activities:
Operating cash flows = Sales - Operating costs other than depreciation - Depreciation
Operating cash flows = $4,250,000 - $3,200,000 - $250,000
Operating cash flows = $800,000
Next, we calculate the cash flows from investing activities:
Cash flows from investing activities = Change in fixed assets + Change in net operating working capital
Cash flows from investing activities = -$350,000 + (-$75,000)
Cash flows from investing activities = -$425,000
Finally, we calculate the free cash flow:
Free cash flow = Operating cash flows - Cash flows from investing activities - Interest expense - Taxes
Interest expense = Outstanding bonds * Interest rate
Interest expense = $750,000 * 4.25% = $31,875
Taxes = Operating cash flows * Tax rate
Taxes = $800,000 * 35% = $280,000
Free cash flow = $800,000 - (-$425,000) - $31,875 - $280,000
Free cash flow = $1,606,875
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The Wildcat Oil Company is trying to decide whether to lease or buy a new computer- assisted drilling system for its oil exploration business. Management has decided that it must use the system to stay competitive; it will provide $2.9 million in annual pretax cost savings. The system costs $7.6 million and will be depreciated straight-line to zero over five years. Wildcat's tax rate is 23 percent, and the firm can borrow at 7 percent. Lambert Leasing Company has offered to lease the drilling equipment to Wildcat for payments of $1.72 million per year. Lambert's policy is to require its lessees to make payments at the start of the year. Suppose Lambert requires Wildcat to pay a $300,000 security deposit at the inception of the lease. Calculate the NAL with the security deposit. (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answer in dollars, not millions, rounded to 2 decimal places, e.g., 1,234,567.89.) NAL ____
The NAL with the security deposit is -$7,306,281.91.
Given Data, Drilling Equipment Price = $7.6 million, Annual Pretax cost savings = $2.9 million, Tax rate = 23%, Borrowing rate = 7%, Lease Payment per year = $1.72 million, Security Deposit = $300,000.
In order to calculate the NAL, We have to first calculate the Annual depreciation of the drilling equipment. The Annual Depreciation of the drilling equipment will be as follows:
Annual Depreciation = (Cost - Salvage value) / Life of EquipmentCost of Equipment = $7.6 million, salvage Value = $0, Life of Equipment = 5 years, annual Depreciation = ($7,600,000 - $0) / 5= $1,520,000.
Then, we have to calculate the tax benefits that Wildcat will get on the purchase of the drilling equipment. The tax benefit will be calculated as follows:
Tax benefit = Depreciation x Tax rateTax benefit = $1,520,000 x 23%Tax benefit = $349,600
Now, we will calculate the Net Cash outflows of the leasing of the drilling equipment:
Year 1Net Cash Outflow = Lease Payment + Security DepositNet Cash Outflow = $1,720,000 + $300,000Net Cash Outflow = $2,020,000
Year 2Net Cash Outflow = Lease PaymentNet Cash Outflow = $1,720,000
Year 3Net Cash Outflow = Lease PaymentNet Cash Outflow = $1,720,000
Year 4Net Cash Outflow = Lease PaymentNet Cash Outflow = $1,720,000
Year 5Net Cash Outflow = Lease PaymentNet Cash Outflow = $1,720,000
Now, We will calculate the Net Advantage to Leasing (NAL) by calculating the present value of all the cash outflows for 5 years.
PV of Net Cash Outflow = (Year 1 Net Cash Outflow / (1 + Borrowing rate)) + (Year 2 Net Cash Outflow / (1 + Borrowing rate)^2) + (Year 3 Net Cash Outflow / (1 + Borrowing rate)^3) + (Year 4 Net Cash Outflow / (1 + Borrowing rate)^4) + (Year 5 Net Cash Outflow / (1 + Borrowing rate)^5)PV of Net Cash Outflow
= ($2,020,000 / (1 + 0.07)) + ($1,720,000 / (1 + 0.07)^2) + ($1,720,000 / (1 + 0.07)^3) + ($1,720,000 / (1 + 0.07)^4) + ($1,720,000 / (1 + 0.07)^5)PV of Net Cash Outflow = $7,655,881.91
Now, we will calculate the Net Advantage to Leasing (NAL) by calculating the difference between the present value of tax benefits and the present value of net cash outflows.
NAL = Tax benefit - PV of Net Cash OutflowsNAL = $349,600 - $7,655,881.91NAL = -$7,306,281.91
Therefore, the NAL with the security deposit is -$7,306,281.91. Hence, the option to lease the drilling equipment is not favorable. Wildcat Oil Company should buy the drilling equipment.
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Cleary Ceramics, a division of Sweeney Corporation, has an operating income of $66,000 and total assets of $440,000. The required rate of return for the company is 10%. The company is evaluating whether it should use return on investment (ROI) or residual income (RI) as a measurement of performance for its division managers. The manager of Cleary Ceramics has the opportunity to undertake a new project that will require an investment of $160,000. This investment would earn $19,200 for the company.
What is the original return on investment (ROI) for Cleary Ceramics (before making any additional investment)?
The original return on investment (ROI) for Cleary Ceramics (before making any additional investment) is 15%
Cleary Ceramics, a division of Sweeney Corporation, has an operating income of $66,000 and total assets of $440,000. The required rate of return for the company is 10%. The company is evaluating whether it should use return on investment (ROI) or residual income (RI) as a measurement of performance for its division managers. The manager of Cleary Ceramics has the opportunity to undertake a new project that will require an investment of $160,000. This investment would earn $19,200 for the company. The original return on investment (ROI) for Cleary Ceramics (before making any additional investment)
The formula to calculate Return on Investment is given by: ROI
= Operating Income / Total Assets ROI
= 66,000 / 440,000 ROI
= 0.15 Or ROI
= 15%
Therefore, the original return on investment (ROI) for Cleary Ceramics (before making any additional investment) is 15%. The ROI for the company is less than the required rate of return, which means that the company is not meeting its objectives. This means that Cleary Ceramics needs to change its operating strategy to enhance its ROI to at least match the required rate of return of 10% of the company.
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MNY Co. has preferred stock outstanding that is expected to pay an annual dividend of $4.74 every year in perpetuity. If the required return is 4.59 percent, what is the current stock price? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 832.16)
The current stock price of MNY Co. can be calculated using the dividend discount model (DDM) formula. the current stock price of MNY Co. is $103.32.
According to the information given, the preferred stock is expected to pay an annual dividend of $4.74 indefinitely. The required return on the stock is 4.59 percent.
To determine the stock price, we can use the formula for the present value of a perpetuity: Stock Price = Dividend / Required Return. Plugging in the values, we have Stock Price = $4.74 / 0.0459 = $103.32. Therefore, the current stock price of MNY Co. is $103.32.
the current stock price of MNY Co. is $103.32. This is calculated using the dividend discount model, which takes into account the perpetuity of dividend payments and the required return on the stock. By dividing the expected annual dividend by the required return, we can determine the present value of the perpetuity and obtain the current stock price.
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1.1 How many camcorders should click Pix order from Sonic to minimize total cost under the discount schedule? Use the template and enter the result in the Answers sheet. 1.2 Show the calculation of the annual TC (in the Answers sheet) for the optimal order found in question 1.1. You need to show the actual calculation of the Annual ordering cost, holding cost and purchasing cost. 1. Click Pix (CP), a large discount camera shop in New York city has recently begun carrying Sonic model PS58 camcorders, which costs CP $400 each. Sales average 1200 units a year. The cost of placing an order with Sonic is $50. Holding rate is estimated at 60% a year. Sonic is a supplier that offer CP an all unit discount. No discount for an order of 124 or less camcorders. A discount of $25 per unit for an order between 125 and 599 units. For an order of 600 or more a discount of $60 a unit
The optimal order quantity is 600 camcorders should click Pix order from Sonic to minimize total cost under the discount schedule is $265,300.
To minimize the total cost under the discount schedule, Click Pix should order 600 camcorders from Sonic. This is the optimal order quantity that minimizes the total cost, as it lies within the highest discount bracket, where the discount per unit is $60.
Therefore, the cost per unit will be $400 - $60 = $340.
The annual total cost (TC) for the optimal order quantity is given as:
Annual Ordering Cost = (Number of orders per year) × (Cost of placing one order)
Annual ordering cost = (1200 ÷ 600) × 50 = $100
Holding Cost = (Average inventory level) × (Holding cost per unit)
Inventory level = (Order quantity) ÷ 2 = 600 ÷ 2 = 300
Holding cost = 300 × 0.6 × 340 = $61,200
Purchasing Cost = (Order quantity) × (Cost per unit)
= 600 × 340
= $204,000
Therefore, the Annual TC = Annual Ordering Cost + Holding Cost + Purchasing Cost
Annual TC = 100 + 61,200 + 204,000 = $265,300
Therefore 1. The optimal order quantity is 600 camcorders. 2. Annual Total Cost (TC) = $265,300.
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you own a lemonade stand in a competitive market, and as such, you are a price-taking firm. which of the following events would most likely increase your market power? group of answer choices a booming economy increases the demand for lemonade and attracts entry into the market. the average total cost curve for firms in the industry is horizontal. the government abolishes the system of patents and copyrights. you own exclusive rights to harvest lemons from all domestic citrus orchards.
The event that would most likely increase a price-taking firm's market power is when they have exclusive rights to harvest lemons from all domestic citrus orchards.
Price-taking firms are those that have no control over the price of the goods and services that they produce, but they have the liberty to decide how much to produce. This is a condition of perfect competition, where a firm's behavior has no influence on the price of a product.A price-taking firm in a competitive market must focus on its cost structure and keep prices as low as possible to remain competitive. They have no market power because they are price takers, meaning that they have to accept the market price, which is determined by supply and demand.The event that would most likely increase a price-taking firm's market power is when they have exclusive rights to harvest lemons from all domestic citrus orchards.
The market power of a firm is the extent to which they can control the price of their products. The ability to raise prices above the market price depends on various factors, such as the firm's cost structure, the level of competition in the market, the degree of product differentiation, and the availability of substitutes.When a firm has no control over the price of the goods and services they produce, they are a price-taker. This is the situation in a competitive market where the price of a product is determined by supply and demand. A price-taking firm has no market power because it has to accept the market price. As a result, the firm has to focus on its cost structure and keep prices as low as possible to remain competitive.In a price-taking environment, there are certain events that can increase a firm's market power. One such event is when a firm has exclusive rights to harvest raw materials. In the case of a lemonade stand, if the firm has exclusive rights to harvest lemons from all domestic citrus orchards, it would have a monopoly on the supply of raw materials. This would mean that the firm would be the only supplier of lemons to the lemonade market. As a result, the firm would be able to control the price of lemons, which would give them some degree of market power. The firm would be able to raise prices above the market price to some extent since they have a unique advantage over their competitors.
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41.
BPM analysts have a number of analytic techniques at their
disposal. Which analytic technique uses a pictorial technique using
symbols to represent a particular type of action or operation?
Pie c
The analytic technique that uses a pictorial technique using symbols to represent a particular type of action or operation is known as Flowcharting.
Flowcharting is a technique used in analyzing, designing, documenting, or managing a process or program in various fields. Flowcharting is a technique that uses graphical representation to describe the steps involved in a process. Flowcharts make use of symbols to depict different types of actions or operations that take place in a process.
This technique can be used in various fields such as computer programming, business processes, engineering, healthcare, etc. Flowcharting helps in identifying potential bottlenecks in a process and enables improvements to be made.
It is useful in understanding complex processes and in communicating ideas to others. Flowcharting can also be used as a tool for decision-making. Hence, BPM analysts use this technique to get a clear understanding of the processes they are analyzing.
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All of the following are factors in incident response EXCEPT ________.
A.have a plan in place B.practice
C.take your time responding to the incident
D.don't make the problem worse
Don't make the problem worseThe correct option is C. "Take your time responding to the incident" is not a factor in incident response because time is a crucial factor in responding to the incident.
The correct option is C.
Incident response is an organized approach to addressing and managing the aftermath of a security breach or cyberattack, also known as an IT incident, computer incident, or security incident. In Incident response, the following are factors that are considered :A.
Have a plan in placeB. PracticeD. Don't make the problem worseThe correct option is C. "Take your time responding to the incident" is not a factor in incident response because time is a crucial factor in responding to the incident. The faster the response time, the more chances of minimizing the damage caused by the incident. For instance, The time to detect an incident and respond to it is a critical factor in determining how much damage the incident can cause.
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Which of the following statements regarding Nash equilibrium are correct?
a. In a Nash equilibrium, all players choose their best response strategy given the other players' strategies,
b. A Nash equilibrium will always exist,
c. Some players have an incentive to deviate from a Nash equilibrium,
d. A dominant strategy equilibrium is not a Nash equilibrium.
In a Nash equilibrium, all players choose their best response strategy given the other players strategies, this statement is correct. Option A is the correct answer.
A Nash equilibrium in game theory is a situation where a player will continue to use their chosen strategy despite having no incentive to do so after considering the opponent's tactics. Option A is the correct answer.
In order to forecast possible outcomes, the competitive behavior of various economic players is modeled using the game theory framework. It is employed in a number of disciplines, including economics, business, and psychology. In game theory, a Nash equilibrium is a condition in which players have no reason to stray from a predetermined set of tactics and payoffs. Nash equilibrium is significant because it enables a participant to choose the optimum outcome in a circumstance based on their own choices as well as those of other parties.
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Your firm has taken out a $527,000 loan with 8.7% APR (compounded monthly) for some commercial property. As is common in commercial real estate, the loan is a 5-year loan based on a 15-year amortization. This means that your loan payments will be calculated as if you will take 15 years to pay off the loan, but you actually must do so in 5 years. To do this, you will make 59 equal payments based on the 15-year amortization schedule and then make a final 60th payment to pay the remaining balance. (Note: Be careful not to round any intermediate steps less than six decimal places.) a. What will your monthly payments be? b. What will your final payment be?
a. The monthly payment is $5,032.51.
b. The final payment is $485,441.05.
a. Monthly payments :
The monthly payments would be $5,032.51
Given,Loan amount (P) = $527,000
APR (R) = 8.7%
Number of years (n) = 5 years
The frequency of payments in a year is 12
Total number of payments (N) = 59
(As 5 years loan is based on 15 years amortization, we will make 59 equal payments based on the 15-year amortization schedule and then make a final 60th payment to pay the remaining balance)
Calculating the monthly payment:Formula used for calculating monthly payment is:
PV = PMT x (1 - (1 / (1 + r)n)) / r
where, PV = present value (loan amount)
PMT = monthly payment
r = periodic interest rate
N = total number of payments
So, by plugging in the given values, we get:
P = $527,000R = 8.7% / 12 = 0.725%N = 59r = 0.725% / 100 = 0.00725
By substituting these values into the formula, the following result is obtained:
527,000 = PMT x (1 - (1 / (1 + 0.00725)59)) / 0.00725
PMT = $5,032.51
Therefore, the monthly payments would be $5,032.51.
b. Final Payment:
The final payment would be $485,441.05
To calculate the final payment, we will find out the loan balance after the 59th payment.
The final payment will then be equal to that balance.
Let's first calculate the monthly interest rate:
r = APR / 12r = 8.7% / 12r = 0.725%
Next, let's find out the monthly payment that would be required to pay off this loan over 15 years instead of 5:PMT = (P * r) / (1 - (1 + r)-n)
where,
P = $527,000
r = 0.725%
N = 15 * 12 = 180
PMT = ($527,000 * 0.725%) / (1 - (1 + 0.725%)-180)
PMT = $4,245.04
Now, let's find out the loan balance after the 59th payment using the formula:
B = P * (1 + r)n - PMT * ((1 + r)n - 1) / r
B = $527,000 * (1 + r)59 - $4,245.04 * ((1 + r)59 - 1) / r
B = $190,450.85
Finally, the final payment will be equal to the loan balance after the 59th payment, which is:$485,441.05 ($190,450.85 + $294,990.20)
Therefore, the final payment would be $485,441.05.
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Problem 11. Consider a yield curve defined by the following equation: ik = 0.08 +0.003k 0.001/² where it is the annual effective rate of return for zero-coupon bonds with maturity of k years. Let j be the one-year effective rate during the 5th year that is implied by this yield curve. Calculate j.
An illustration of the relationship between the yields or interest rates of bonds with identical credit grades but various maturities is called a yield curve. It depicts the various time periods or maturities on the horizontal axis and the interest rates on the vertical axis.
The equation for the yield curve is given as: `i_k = 0.08 + 0.003k + 0.001/k^2` where `i_k` is the annual effective rate of return for zero-coupon bonds with a maturity of k years and `k` represents the year
Considering the one-year effective rate during the 5th year, we need to find the value of `j`. The formula to calculate the one-year effective rate during the 5th year is given as:`j = (1+i_5)⁵/(1+i_4)⁴ - 1`To calculate the value of `j`, we need to substitute the values of `i_5` and `i_4`.Putting k = 5 in the equation for the yield curve, we get:`i_5 = 0.08 + 0.003(5) + 0.001/5² = 0.0962`
Putting k = 4 in the equation for the yield curve, we get:`i_4 = 0.08 + 0.003(4) + 0.001/4² = 0.0910`Substituting the values of `i_5` and `i_4` in the formula to calculate `j`, we get:`j = (1+0.0962)⁵/(1+0.0910)⁴ - 1 ≈ 0.0563`Therefore, the value of `j` is approximately equal to `0.0563`.
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Observation techniques can acquire effective information in different research design methods. For ethical reasons, though, they have to be carefully considered when investigating sensitive topics that could not investigated using an experimental approach.
State how you would create a correlational research design using either direct or contrived observation methods or the use of content anlaysis or the observation of physical objects to study workplace bullying (which for ethical reasons could not assign people randomly to either a workplace group to be bullied or not) and its effect on organizational culture. Comment on how the use of your observation techniques would minimize ethical concerns
A correlational research design using direct observation methods would be a suitable choice for studying workplace bullying and its impact on organizational culture. This method involves observing the behavior and interactions of employees and noting any patterns or relationships between workplace bullying and organizational culture.
By using direct observation, the researcher can avoid ethical concerns related to randomly assigning people to a group to be bullied or not. Observation techniques, such as direct or contrived observation methods, can obtain effective information in different research design methods. The use of observation techniques can minimize ethical concerns in the study of workplace bullying and its effect on organizational culture. Using direct observation methods in a correlational research design would involve observing the behavior and interactions of employees in the workplace. The researcher would note any patterns or relationships between workplace bullying and organizational culture. This method would allow the researcher to avoid ethical concerns related to randomly assigning people to a group to be bullied or not. Direct observation can be supplemented by the use of content analysis to further analyze the observations. The use of content analysis would allow the researcher to analyze written or verbal communication within the workplace and to identify any instances of bullying. Additionally, the observation of physical objects such as emails, memos, or other forms of communication would allow the researcher to further analyze the impact of workplace bullying on organizational culture. Overall, the use of direct observation and content analysis would allow the researcher to study workplace bullying and its impact on organizational culture while minimizing ethical concerns related to randomly assigning people to a group to be bullied or not. By using these observation techniques, the researcher can gather information without violating the ethical principles of research design.
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A 12-year bond of a firm in severe financial distress has a coupon rate of 14% and sells for $920. The firm is currently renegotiating the debt, and it appears that the lenders will allow the firm to reduce coupon payments on the bond to one-half the originally contracted amount. The firm can handle these lower payments. The bond makes its coupon payments annually. Required: What is the stated yield to maturity based on the original terms of the bonds? What is the expected yield to maturity based on the renegotiated terms of the bonds? (Do not round intermediate calculations. Round your answers to 2 decimal places.) Stated yield to maturity Expected yield to maturity dº dº % % K
To calculate the stated yield to maturity based on the original terms of the bonds, we can use the formula for yield to maturity:
Stated Yield to Maturity = Annual Coupon Payment / Bond Price + (Face Value - Bond Price) / Number of Years
Given:
Coupon Rate = 14% (0.14)
Coupon Payment = Coupon Rate * Face Value = 0.14 * Face Value
Bond Price = $920
Number of Years = 12
Substituting the values into the formula:
Stated Yield to Maturity = (0.14 * Face Value) / $920 + (Face Value - $920) / 12
To calculate the expected yield to maturity based on the renegotiated terms of the bonds, we need to adjust the coupon payment to one-half the originally contracted amount:
Expected Coupon Payment = (1/2) * Coupon Payment = 0.5 * (0.14 * Face Value)
Substituting the adjusted coupon payment into the formula:
Expected Yield to Maturity = (0.5 * (0.14 * Face Value)) / $920 + (Face Value - $920) / 12
Now, let's solve for the stated and expected yield to maturity:
Stated Yield to Maturity = (0.14 * Face Value) / $920 + (Face Value - $920) / 12
Expected Yield to Maturity = (0.5 * (0.14 * Face Value)) / $920 + (Face Value - $920) / 12
Please note that the calculation requires the face value of the bond, which is not provided in the given information. Without the face value, we cannot determine the exact values for the stated and expected yield to maturity.
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Based on the second guest lecture, which one of the following collections is the most important components of Human-Al interaction studies inspired by Information System approach? O a. Problem and People O b. People and Procedure O C. People and Culture Procedure and Culture O d.
Based on the second guest lecture, "People and Culture" is the most important components of Human-Al interaction studies inspired by the Information System approach.
Human-Al interaction is an interdisciplinary study area concerned with the design, execution, and evaluation of interactive computing systems for human use and with the research and study of major phenomena surrounding them. In other words, Human-Al interaction is the study of how people interact with information technology systems. Human-Computer Interaction (HCI) is another name for it (HCI). The term 'Human-Al Interaction (HAI)' is becoming more common as a way of emphasizing the fact that human-computer interaction now includes a growing range of Al-enabled technologies, such as intelligent personal assistants (IPAs) and machine-learning models. Based on the Information System approach, Human-Al interaction studies can be split into four categories.
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Which of the following BEST describes the types of activities and practices that comprise modern human resources?
Hiring and firing only
Acquiring, training, appraising, and compensating employees while attending to their concerns about labor relations, health and safety, and fairness.
Paperwork and compliance issues
Administration of benefits and employee orientation
The BEST description is "Acquiring, training, appraising, and compensating employees while attending to their concerns about labor relations, health and safety, and fairness."
Hiring and firing only is not the right answer as it only includes two aspects of the employment cycle, which is the recruitment of new employees and the termination of employees. It leaves out other critical stages of the employment cycle.
This option provides an overview of the employment cycle, which includes hiring new employees, training, developing employee skills, employee performance assessment, employee compensation, and employee welfare. Paperwork and compliance issues can be an essential part of human resources management, but it is not the best way to describe the HR function as a whole. Instead, it is one of the activities that come under the HR function.
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In the context of Inventory Management, let TIC = the total inventory Cost, THC =the total holding cost, TOC =the total order cost and TPP the total purchase price. Given that Q = is the order quantity every time an order is placed, Co the order cost per unit, Ch the holding cost per unit, Cu the unit price and D the total demand. Given that TIC = THC+TOC+TPP write an expression of for TIC in terms of Q
The expression for TIC (Total Inventory Cost) in terms of Q (Order Quantity) can be written as TIC = (Q/2) * Ch + (D/Q) * Co + (D * Cu)
The first term, (Q/2) * Ch, represents the holding cost, which is the cost associated with storing inventory. Since the average inventory level is Q/2, multiplying it by the holding cost per unit (Ch) gives the total holding cost. The second term, (D/Q) * Co, represents the order cost, which is the cost associated with placing an order. As D is the total demand and an order of quantity Q is placed, the number of orders required is D/Q. Multiplying it by the order cost per unit (Co) gives the total order cost.
The third term, (D * Cu), represents the total purchase price, which is the cost of acquiring the inventory. Multiplying the total demand (D) by the unit price (Cu) gives the total purchase price. In summary, the expression for TIC in terms of Q includes the holding cost, order cost, and total purchase price. It accounts for the cost of storing inventory, placing orders, and acquiring the inventory based on the order quantity.
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Which of the following statements is false? A) A replicating portfolio is a portfolio of other securities that has exactly the same value in one period as the option. B) By using the Law of One Price, we are able to solve for the price of the option as long as we know the probabilities of the states in the binomial tree. C) The binomial tree contains all the information we currently know: the value of the stock, bond, and call options in each state in one period, as well as the price of the stock and bond today. D) The idea that you can replicate the option payoff by dynamically trading in a portfolio of the underlying stock and a risk-free bond was one of the most important contributions of the original Black-Scholes paper. Today, this kind of replication strategy is called a dynamic trading strategy.
The false statement is using the Law of One Price alone cannot determine the price of an option in the binomial tree model. The binomial tree method requires knowledge of probabilities, stock, bond, and option values in each state to calculate the option price iteratively. The correct option is B.
The false statement is B) By using the Law of One Price, we are able to solve for the price of the option as long as we know the probabilities of the states in the binomial tree.
The Law of One Price states that two securities with the same cash flows in the future must have the same price today. While this concept is fundamental in finance, it alone is not sufficient to solve for the price of an option in the binomial tree framework.
In the binomial tree model, the price of the option can be determined through a process called backward induction.
Starting from the terminal nodes, the option value is calculated by working backward through the tree, considering the probabilities of different states and the corresponding payoffs. The Law of One Price is not directly used to calculate the option price in this framework.
Instead, the binomial tree method requires knowledge of the probabilities of the states in the tree, along with the values of the stock, bond, and options in each state, including the price of the stock and bond today.
These inputs are used iteratively to determine the option price at each node of the tree until reaching the present time.
Therefore, statement B is false because the Law of One Price alone is not sufficient to solve for the price of the option in the binomial tree model.
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Assume that the level of autonomous consumption in an economy equals 400, the level of planned investment = 1,000. What is the level of consumption when the level of income equals 2,000?
The level of consumption when the level of income equals 2,000 is 1,400.How to determine the level of consumption The formula for determining the level of consumption in an economy can be derived from the Keynesian Cross model.
The formula is as follows:Y = C + IWhere, Y is the level of output (income),C is the level of consumption, andI is the level of planned investment.The Keynesian Cross model implies that consumption in an economy is made up of two components: autonomous consumption and induced consumption. Autonomous consumption is that level of consumption which is not influenced by the level of income in an economy. Induced consumption, on the other hand, is the level of consumption that is determined by the level of income in an economy. In other words, it is the level of consumption that is induced by changes in income levels.The formula for consumption in the Keynesian Cross model is given as:C = a + b(Yd)Where, a is the level of autonomous consumption,b is the marginal propensity to consume, andYd is disposable income.
To determine the level of consumption when the level of income equals 2,000, we can use the following steps:Step 1: Calculate disposable income.Disposable income is that part of income that is available for consumption after taxes have been deducted. In this case, we assume that there are no taxes. Therefore, disposable income equals the level of output (income).Yd = YStep 2: Substitute values into the consumption function.The consumption function is given as:C = a + b(Yd)We are given that autonomous consumption is 400. Therefore, a = 400. We are also given that planned investment is 1,000. Therefore, I = 1,000. The marginal propensity to consume (b) is assumed to be 0.8. Therefore, b = 0.8.C = a + b(Yd)C = 400 + 0.8(2,000)C = 400 + 1,600C = 2,000Therefore, the level of consumption when the level of income equals 2,000 is 2,000. Answer: 2,000.
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How much would Sophie have in her account at the end of 17 years if she deposits $2,000 into the account today if she earned 8 percent interest and interest is compounded continuously
Sophie would have $7792.38 in her account at the end of 17 years if she deposits $2,000 into the account today if she earned 8 percent interest and it is continuously compounding interest.
The solution is as follows: Given data:
Deposit made by Sophie = $2,000
e (mathematical constant) = 2.7182813
Time = 17 years
Interest earned = 8% per year
Formula: The formula used for calculating the amount is:
A = Pe^rt
where A is the total amount,
P is the principal amount,
e (mathematical constant)
r is the annual interest rate, and
t is the time in years.
Substituting the values, we have:
A = 2000 × 2.71828183^(0.08*17)
A = 2,000.00×(2.71828)^(0.08)×(17)
A = $7,792.38
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